| BTE |
BTE Descriptions |
| 00000900 |
OI PROCESSING: Derivation Before OI Display |
| 00001005 |
POST DOCUMENT: Footer input |
| 00001010 |
POST DOCUMENT: Check customer line item |
| 00001011 |
POST DOCUMENT: Checks at line item level |
| 00001012 |
POST DOCUMENT: Check reference 3 |
| 00001013 |
POST DOCUMENT: Display References Button |
| 00001020 |
POST DOCUMENT: Prior to final checks |
| 00001025 |
POST DOCUMENT: Final checks completed |
| 00001030 |
POST DOCUMENT: Posting of standard data |
| 00001040 |
REVERSE CLEARING: Following a standard posting |
| 00001041 |
REVERSE CLEARING: With Reversal of Clearing Doc. |
| 00001050 |
POST DOCUMENT: Accounting interface |
| 00001060 |
POST DOCUMENT: Invoice check |
| 00001070 |
POST DOCUMENT: GUI Callup at Line Item Level |
| 00001080 |
POST DOCUMENT: Key Texts |
| 00001085 |
POST DOCUMENT: Functions for Line Item |
| 00001110 |
CHANGE DOCUMENT: Save the standard data |
| 00001120 |
CHANGE DOCUMENT: GUI Callup at line item level |
| 00001130 |
CHANGE DOCUMENT: Key texts |
| 00001135 |
CHANGE DOCUMENT: Excl. Functions for Line Item |
| 00001136 |
CHANGE DOCUMENT: Exclude Field Changes |
| 00001140 |
POST DOCUMENT: Exclude OK Codes (Enjoy) |
| 00001210 |
CUSTOMER BALANCES: Callup using GUI menu |
| 00001212 |
SERVICE MASTER DATA: Post |
| 00001220 |
CUSTOMER BALANCES: Key texts |
| 00001230 |
CUSTOMER BALANCES: Prior to first output |
| 00001250 |
MATERIAL MASTER DATA: Post |
| 00001270 |
ARTICLE MASTER DATA: Post |
| 00001310 |
CUSTOMER MASTER DATA: GUI Callup |
| 00001320 |
CUSTOMER MASTER DATA: Save |
| 00001321 |
CUSTOMER MASTER DATA: Save |
| 00001330 |
CUSTOMER MASTER DATA: Key texts |
| 00001340 |
CUSTOMER MASTER DATA: Final checks |
| 00001350 |
CUSTOMER MASTER DATA: Individual duplication check |
| 00001360 |
CUSTOMER MASTER DATA: Auth. check: Acct group |
| 00001410 |
VENDOR MASTER DATA: Call GUI |
| 00001420 |
VENDOR MASTER DATA: Save |
| 00001421 |
VENDOR MASTER DATA: Save with data transfer |
| 00001430 |
VENDOR MASTER DATA: Key texts |
| 00001440 |
VENDOR MASTER DATA: Final checks |
| 00001450 |
VENDOR MASTER DATA: Individual duplication check |
| 00001460 |
VENDOR MASTER DATA: Auth. check: Account group |
| 00001510 |
CREDIT MANAGEMENT: GUI callup dialog |
| 00001520 |
CREDIT MANAGEMENT: Save |
| 00001530 |
CREDIT MANAGEMENT: Overview and Master Sheet (GUI) |
| 00001540 |
CREDIT MANAGEMENT: Key Texts Overview/Master Sheet |
| 00001550 |
CREDIT MANAGEMENT: Key texts dialog |
| 00001560 |
CREDIT MANAGEMENT: Credit master sheet ready |
| 00001610 |
LINE ITEM DISPLAY: GUI callup |
| 00001620 |
LINE ITEM DISPLAY: Key texts |
| 00001630 |
LINE ITEM DISPLAY: Prior to first list |
| 00001640 |
LINE ITEM DISPLAY: Additional header lines |
| 00001650 |
LINE ITEM DISPLAY: Add to data per line |
| 00001705 |
DUNNING: Start of dunning notice printout |
| 00001710 |
DUNNING: End of dunning notice printout |
| 00001719 |
DUNNING: Additional activites before printing |
| 00001720 |
DUNNING: Printing of dunning notice |
| 00001730 |
DUNNING CUSTOMIZING: Customizing (key text) |
| 00001740 |
DUNNING CUSTOMIZING: Additional Customizing |
| 00001750 |
DUNNING: Parameter maintenance (key text) |
| 00001751 |
DUNNING: Parameter maintenance |
| 00001760 |
DUNNING: Application Code MHNK |
| 00001761 |
DUNNING: Application Code MHND |
| 00001762 |
Dunning |
| 00001763 |
Dunning |
| 00001764 |
Dunning: Alternative Check for Account Balance |
| 00001765 |
Dunning: Collections Management (Integration |
| 00001769 |
Dunning |
| 00001770 |
Dunning |
| 00001810 |
CHANGE DOCUMENT DISPLAY: Key text |
| 00001820 |
CHANGE DOCUMENT DISPLAY: Add additional changes |
| 00001850 |
CHANGE DOCUMENT DISPLAY: Additional Changes Doc. |
| 00001910 |
ADVANCE RETURN FOR SALES/PURCH.TAX: Preparation |
| 00002010 |
Customer Menu |
| 00002020 |
Implementation Guide |
| 00002050 |
Tax: Tolerance Check |
| 00002051 |
Tax: Translate Tax Base with Tax Rate |
| 00002110 |
PAYMENT PROGRAM: Process proposal list |
| 00002213 |
DOCUMENT PARKING: Check for release |
| 00002214 |
DOCUMENT PARKING: Initiate Event CHANGED |
| 00002215 |
PRELIMIN. POSTING: Determ. Prel. Post. at Posting |
| 00002216 |
PRELIMIN. POSTING: When Document is Deleted |
| 00002217 |
PRELIMIN. POSTING: When Document is Changed |
| 00002218 |
DOCUMENT PARKING: Save for Document |
| 00002221 |
DOCUMENT POSTING : Payment Release (Line Item) |
| 00002310 |
MASTER RECORD G/L ACCOUNT: Save |
| 00002510 |
TREASURY MANAGEMENT: Payment Program |
| 00002520 |
Treasury management: Payment program, save |
| 00002710 |
SAPF107 Deselect Open Items |
| 00002740 |
SAPF107: Individual Value Adjustment 3 |
| 00002750 |
SAPF107: Valuation Update and Postings |
| 00002810 |
Bank statement - Analysis of a sale |
| 00002820 |
Bank statement - Display application document |
| 00002850 |
Bank Statement Follow Up: Registration |
| 00002910 |
ARCHIVING FI DOCUMENTS: Preparation |
| 00002920 |
ARCHIVING FI DOCUMENTS: Check per Document |
| 00002930 |
ARCHIVING FI DOCUMENTS: Copy into Archive |
| 00002940 |
ARCHIVING FI DOCUMENTS: Read from Archive |
| 00002950 |
ARCHIVING FI DOCUMENTS: Delete |
| 00002960 |
ARCHIVING FI DOCUMENTS: Reload |
| 00003000 |
Bank Details Check Routine: Alternative Check |
| 00003010 |
Check Bank Key or Bank Code |
| 00003020 |
Check Postal Checking Acct No.: Alternative Check |
| 00003030 |
Generate IBAN |
| 00003040 |
Generate an account number from IBAN |
| 00004000 |
CA Class. System - Characteristic Before Update |
| 00004001 |
CA Classification System - Class Before Update |
| 00004002 |
CA Class. System - Class Assignment Before Update |
| 00004003 |
CA Classification System - Write Change Pointer |
| 00004004 |
CA Classification System - Write Change Pointer |
| 00004005 |
CA Classification System - Write Change Pointer |
| 00004006 |
CA classification system - Specify usage of a |
| 00004007 |
CA class. system - Initial data transfer OBTAB |
| 00004008 |
CA class. system - Initial data transfer OBJEK |
| 00004009 |
CA Class. System - Authorization Character. Admin. |
| 00004011 |
CA Class. System - CLIDL Object Characteristics |
| 00004012 |
CA Classification System - Check Class. Deletion |
| 00004013 |
CA Classification System - Check Class. Deletion |
| 00004051 |
Installed Base Transfer |
| 00004110 |
Item Interest Calculation: Get Due Date |
| 00004190 |
Item & Balance Interest Calculation: Posting |
| 00008010 |
AM Reporting: Enhance reporting data |
| 00011026 |
CML Account Master Data: Acct Fields Rel.for BaFin |
| 00102010 |
Cash Desk IS-PS: Check Open Items |
| 00102023 |
Settlement Control: Correspondence Interface |
| 00103010 |
IS-PS: Export Execution Data |
| 00107050 |
CUSTOMER MASTER DATA: Check IS-PS Fields |
| 00107051 |
VENDOR MASTER DATA: Check IS-PS Fields |
| 00109100 |
BUDGETING: Check Entry Document |
| 00501000 |
Sales document - determine contract |
| 00501001 |
Sales document - check contract |
| 00501002 |
Sales document - update document number |
| 00501003 |
Sales document - save sales document contract data |
| 00501004 |
Sales Document - Read Contract Data (SIS) |
| 00501005 |
Sales document - read credit list contract data |
| 00501006 |
Delivery document - check contract |
| 00501007 |
Delivery - Save Delivery Document Contract Data |
| 00501008 |
Delivery - Read contract data SIS |
| 00501009 |
Billing document - Transfer data from preced. doc. |
| 00501010 |
Billing document - Save billing doc. contract data |
| 00501011 |
Billing Document - Read Contract Data (SIS) |
| 00501013 |
Sales document - GUI call: Display credit contract |
| 00501014 |
Sales documents: Final checks II |
| 00503101 |
Revenue realization: Copy conditions |
| 00503102 |
Revenue realization: Start/end of selection period |
| 00503103 |
Revenue realization: Determine selection period |
| 00503104 |
Revenue realization: Billing <-> FI document VF47 |
| 00503105 |
Revenue realization: Forecast revenue lines |
| 00503106 |
Revenue realization: Revenue amount adjustment |
| 00503107 |
Revenue realization: Det. Acct Non-Billed Receiv. |
| 00503108 |
Revenue realization: Display variants |
| 00503109 |
Revenue realization: Enter split criterion |
| 00503110 |
Revenue realization: Change accounting data |
| 00503111 |
Revenue realization: Change document date/type |
| 00503113 |
Revenue Realization: Status Change |
| 00503114 |
Revenue Realization: Addnl Value/Quantity Fields |
| 00503115 |
Revenue Realization: Set Exchange Rate Date |
| 00503201 |
Bonus: Credit memo request |
| 00503301 |
Update conditions (usage A) |
| 00503302 |
Update conditions (general) |
| 00503303 |
Maintain conditions: Transfers |
| 00503305 |
Maintain conditions: Field check |
| 00503306 |
Maintain conditions: Text determination |
| 00503307 |
Maintain conditions: Default condition |
| 00503308 |
Maintain conditions: Default condition |
| 00503309 |
Update Conditions (usage N) |
| 00503310 |
Update Agreements |
| 00503311 |
Update Conditions (Usage D) |
| 00504001 |
Customer material info record created |
| 00504002 |
Customer material info record has been changed |
| 00504003 |
Customer material info record has been deleted |
| 00504004 |
Customer hierarchy nodes have been created |
| 00504005 |
Customer hierarchy node changed |
| 00550001 |
SCE knowledge-base version created |
| 00550002 |
SCE knowledge-base version changed |
| 00550003 |
SCE knowledge-base version deleted |
| 00901010 |
RM: Area menu JB04 Environmnt -> Other components |
| 01000010 |
Plug-In |
| 01000301 |
APO Plug-In: Create Planned Orders |
| 01000302 |
APO Plug-In: Create Components |
| 01000303 |
APO PlugIn: Conv. Comp. Data to APO Form. and Send |
| 01000305 |
APO Plug-In: Extract APO-Relevant Data and Send |
| 01000306 |
APO Plug-In: Send All Created Data to APO |
| 01000307 |
APO Plug-In: Send Created ATP Check Data to APO |
| 01000601 |
New Dimension Plug-In BTE: Requirement Reduction |
| 01000710 |
APO Plug-In: Purchase Requisition |
| 01000720 |
APO Plug-In: Confirmation |
| 01000730 |
APO Plug-In: Purchase Order |
| 01000740 |
APO Plug-In: Goods Receipt for Purchase Order |
| 01000811 |
APO Plug-In: Sales Document and Requirements |
| 01000902 |
APO Plug-In: Campaign |
| 02000104 |
Markdown Planning: Price Activation |
| 0CML0001 |
CML Account Master Data: Rel. Account Fields |
| CACS0000 |
Reserved Events for CA CS: CACS0000 to CACS9999 |
| CACS1000 |
IS-IS-CS: User Exits Commission Case Dual Control |
| CACS1001 |
IS-IS-CS: Industry Key, Obj. Char. Grp, AttrCheck |
| CACS1002 |
IS-IS-CS: Authorization Check in Org. Hierarchy |
| CACS1003 |
IS-IS-CS: Diff. Remun. Rate when Contract Rate = 0 |
| CACS1004 |
IS-IS-CS: IS-IS-CS: Exit Structure Authorization |
| CACS1005 |
ICM: Commission Case, Correct Version Handling |
| CACS1098 |
IS-IS-CS: Environment Prep. for Commission Case |
| CACS1099 |
IS-IS-CS: Post-Environment for Commission Case |
| CACS1100 |
IS-IS-CS: Additional Data from PD Org |
| CACS1101 |
IS-IS-CS: Extra Check at Contract Allocation |
| CACS1102 |
IS-IS-CS: Determine Commission Contr. from Partner |
| CACS1900 |
Archive Commission Case: Extended Checks |
| CACS1901 |
Archive Commission Case: Extended Checks |
| CACS2000 |
IS-IS-CS: Upd. Totals Tab. Remun. and Liability |
| CACS2001 |
IS-IS-CS: Update Totals Table Due Date |
| CACS2002 |
IS-IS-CS: Update Totals Table Valuation |
| CACS2003 |
IS-IS-CS: Read and Inbound Check Exit for Docmnts |
| CACS2004 |
IS-IS-CS: Read Document Fields |
| CACS2005 |
Reconstruct Totals Tables |
| CACS2010 |
Change Customer Fields in Reversal Document |
| CACS2900 |
Archive Commission Doc.: Extended Checks |
| CACS2901 |
Archive Commission Doc.: Extended Checks |
| CACS8000 |
Settlement: Trigger Customer Documents |
| CACS9800 |
IS-IS-CS: FI Data Transfer |
| CACS9801 |
IS-IS-CS: Read FI Document |
| CACS9802 |
IS-IS-CS: Settlement Run (FI Document Structure) |
| CACS9803 |
IS-IS-CS: Settlement Run II (FI Doc. Structure) |
| CACS9804 |
IS-IS-CS: Payroll Run (HR Document Structure) |
| CACS9805 |
IS-IS-CS: Payroll Run II (HR Document Structure) |
| CACS9806 |
IS-IS-CS: Payroll Run (Collection/Disbursement) |
| CACS9810 |
IS-IS-CS: FI One-Time Customer Settlement |
| CACS9812 |
IS-IS-CS: FI Data Transfer - Customer |
| CACS9820 |
|
| CACS9830 |
ICM: Settlement: Read Account Assign. Rel. Fields |
| CAM_1000 |
CENTRAL ADDRESS MANAGEMENT: Save address type 1 |
| CAM_2000 |
CENTRAL ADDRESS MANAGEMENT: Save address type 2 |
| CAM_3000 |
CENTRAL ADDRESS MANAGEMENT: Save address type 3 |
| CC000100 |
ALE (ECMMAS) - Outbound |
| CC000160 |
ALE (ECMMAS) - inbound |
| CC000170 |
ALE (ECMMAS) - inbound |
| CC000180 |
ALE (ECMMAS) - inbound |
| CC000200 |
ALE (ECMREV) - outbound |
| CC000260 |
ALE (ECMREV) - inbound |
| CC000270 |
ALE (ECMREV) - inbound |
| CC000280 |
ALE (ECMREV) - inbound |
| CH000001 |
POST DOCUMENT: Footer input |
| CH000002 |
POST DOCUMENT: Footer input |
| CLF00100 |
CLFMAS : Outbound Processing for ALE Distribution |
| CLS00100 |
CLSMAS : Outbound Orocessing for ALE Distribn unit |
| CMS00001 |
|
| CPE00001 |
|
| CRMTST1 |
|
| CS000010 |
Post bill of material |
| CS000100 |
ALE outbound processing BOMs: IDOC control record |
| CS000110 |
ALE outbound processing BOMs: IDOC data records |
| CS000150 |
ALE inbound processing BOMs: IDOC control record |
| CS000160 |
ALE inbound processing BOMs: IDOC data records |
| CS000170 |
ALE inbound processing BOMs: Tables |
| CS000180 |
ALE inbound processing BOMs: Connect. to ALE layer |
| DE_AALE |
|
| DE_BALE |
|
| DE_BCS2S |
Business Partner Data Exchange: Customer Master |
| DE_BCS2V |
Business Partner Data Exchange: Customer Master |
| DE_CALE |
|
| DE_DALE |
|
| DE_EIOUT |
|
| DE_EIOUV |
|
| DE_GETPF |
|
| DE_KTOKD |
|
| DE_KTOKK |
|
| DE_SLCHK |
Data Exchange Business Parnter: Customer Master |
| DE_TXCLS |
|
| EQ_ABAPI |
Equipment Upload - After BAPI CAll |
| EQ_AUPL |
Equipment Upload - After Upload Call |
| EQ_BBAPI |
Equipment Upload - Before BAPI Call |
| EQ_BUPL |
Equipment Upload - Before Upload Call |
| PM000010 |
Update notification |
| PM000020 |
Update Equipment |
| PM000030 |
Update Order |
| PM000040 |
Update Measurement Documents/Points |
| PM000050 |
Confirmation of Update |
| PM000070 |
Update: Technical Location |